Bluebird Bio Financial Ratios for Analysis 2011-2024 | BLUE

Fifteen years of historical annual and quarterly financial ratios and margins for Bluebird Bio (BLUE).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2023202220212020201920182017201620152014201320122011
1.411.302.205.975.159.6913.839.7212.9811.176.0814.6510.36
0.160.34---0.08-------
0.640.97---0.08-------
-13.66-180.15-961.09--98.3895.69100.00100.00100.00100.00100.00100.00
-828.09-6,955.38-16,136.29---1,048.06-937.60-4,351.42-1,200.63-238.49-123.62-6,975.29-1,716.78
-828.09-6,955.38-16,136.29---1,048.06-937.60-4,351.42-1,200.63-238.49-123.62-6,975.29-1,716.78
-731.39-6,723.41-15,599.73---1,016.63-899.39-4,194.67-1,147.94-221.86-118.95-6,886.77-1,691.27
-718.85-6,400.47-15,357.18---1,017.68-946.83-4,291.13-1,184.20-238.02-125.47-6,961.77-1,768.48
-718.42-6,403.73-22,375.15---1,018.02-947.42-4,281.19-1,184.62-191.61-125.47-1,062.65-2,334.58
0.050.010.01--0.020.020.010.010.050.090.000.03
1.46------------
1.330.250.32---11.380.72-----
2751,4841,135---32.06507-----
-108.93-171.47-150.33-41.40-43.19-29.48-20.67-30.31-19.61-9.92-16.7040.7528.00
-118.75-186.03-152.63-41.71-44.14-29.89-21.06-31.53-20.52-10.83-16.70-36.93-58.43
-34.23-40.42-94.75-31.50-32.13-24.77-17.66-23.57-16.64-8.75-11.28-34.15-50.45
-91.24-112.90-150.33-41.40-43.19-27.26-20.67-30.31-19.61-9.92-16.70-36.93-58.43
1.011.625.2620.4023.2134.4432.8621.3723.0515.196.34207130
-2.14-4.02-9.22-7.56-10.23-7.95-6.44-5.09-2.84-2.253.46-80.32-101.81
-2.18-4.13-9.43-8.03-11.51-9.02-7.87-5.84-3.04-2.582.77-83.63-105.17

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302011-12-31
0.510.680.931.411.552.133.031.301.271.121.782.203.123.655.325.976.578.185.255.156.228.029.319.6913.119.5110.8013.839.8814.379.199.729.0114.4314.4012.9821.2429.098.1111.175.804.625.936.087.037.59-----
-51.130.270.170.16---0.34---------------0.08---------------------------
-31.553.701.620.64---0.97---------------0.08---------------------------
-11.02-79.78-39.26-55.6326.362.80-131.5064.52100.00-14.88-327.25-129.27-1,802.36-10,539.8635.57-93.1699.2295.31-90.3395.3996.5595.7599.7599.7399.8999.8385.7397.49100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-100.00100.00-
-630.60-548.98-423.69-1,114.17-774.74-1,040.89451100,552-119,409.90-7,070.44-6,187.46-8,447.51-15,156.92-108,182.50-16,341.61--984.25-13.04-930.45--2,361.57-1,524.53-1,372.58-815.68-1,299.61-1,892.93-730.90-2,801.63-1,007.11-405.73-1,023.32-4,660.76-5,034.79-3,864.37-3,827.89-3,328.42-3,257.33-1,053.10-392.91-307.14-267.24-210.48-168.40-128.10-96.43-66.21-575.07--5,910.59-5,411.77-
-630.60-548.98-423.69-1,114.17-774.74-1,040.89451100,552-119,409.90-7,070.44-6,187.46-8,447.51-15,156.92-108,182.50-16,341.61--984.25-13.04-930.45--2,361.57-1,524.53-1,372.58-815.68-1,299.61-1,892.93-730.90-2,801.63-1,007.11-405.73-1,023.32-4,660.76-5,034.79-3,864.37-3,827.89-3,328.42-3,257.33-1,053.10-392.91-307.14-267.24-210.48-168.40-128.10-96.43-66.21-575.07--5,910.59-5,411.77-
---------------------------------------------------
-573.56-505.38-375.84-1,032.27-703.94-912.47795110,610-107,764.80-6,592.36-6,280.31-8,234.00-15,009.52-108,921.00-13,583.67--1,008.75-10.79-926.30--2,315.34-1,476.02-1,318.75-773.46-1,261.97-1,859.59-721.48-2,807.54-1,021.98-424.13-1,005.74-4,602.25-4,974.42-3,806.06-3,763.78-3,213.94-3,237.46-1,048.48-390.72-306.04-267.56-210.31-167.47-127.56-95.74-72.36-580.66--5,930.59-5,368.24-
-573.01-505.52-375.84-1,031.68-703.94-911.31795110,433-107,774.60-6,592.36-6,280.31-9,654.55-21,277.33-169,022.40-23,021.03--1,010.46-10.79-926.73--2,312.38-1,472.49-1,318.63-774.43-1,261.97-1,859.59-721.48-2,812.57-1,021.98-424.13-1,005.74-4,598.20-4,962.95-3,791.50-3,754.10-3,213.94-3,241.99-1,048.48-390.72-306.04-267.56-24.09-167.47-127.56-95.74-72.36-580.66-371-6,880.00-
0.020.030.030.010.020.010.000.000.000.000.000.000.000.000.00-0.010.090.01-0.000.010.010.010.000.000.010.000.010.010.010.000.000.000.000.000.000.000.010.010.020.030.030.030.030.03-----
0.220.870.850.530.440.491.45-----25.311.130.03------------------------------------
9.9912.3719.1513.990.54--0.00---0.140.040.01-------0.62--0.584138401.342.843.860.320.18-------------------
9.017.284.706.43167--21,233---6382,05310,446-------145--1560.220.1167.2031.6523.33280495-------------------
1,051-153.63-53.27-41.55-39.20-21.725.3450.97-48.17-55.60-46.40-35.36-17.56-15.84-10.12-10.06-12.79-1.28-18.080.87-14.00-11.96-9.28-7.91-7.27-10.02-7.33-7.22-6.90-5.91-8.43-8.21-11.09-7.75-6.98-5.56-4.83-5.64-5.22-3.98-6.50-0.92-7.36-5.33-3.88-2.84-----
287-218.08-60.62-45.29-41.24-22.605.5155.30-49.94-57.40-47.42-35.90-18.03-16.33-10.33-10.14-12.99-1.30-18.520.89-14.28-12.18-9.41-8.02-7.37-10.21-7.47-7.36-7.10-6.07-8.78-8.54-11.67-8.13-7.31-5.82-5.05-5.89-5.71-4.34-7.75-1.25-7.36-5.33-3.88-2.84-----
-13.08-14.93-11.05-13.05-14.22-9.462.7312.02-14.71-17.46-24.87-22.29-11.41-10.72-7.42-7.65-10.01-1.02-13.250.65-10.89-9.68-7.69-6.64-6.19-8.29-6.17-6.17-5.61-4.87-6.41-6.38-8.39-6.25-5.75-4.72-4.22-5.18-4.64-3.51-5.16-0.63-5.06-3.60-2.68-1.95-----
54,782-112.06-44.42-34.80-39.20-21.725.3433.56-48.17-55.60-46.40-35.36-17.56-15.84-10.12-10.06-12.79-1.28-18.080.87-14.00-11.96-9.28-7.31-7.27-10.02-7.33-7.22-6.90-5.91-8.43-8.21-11.09-7.75-6.98-5.56-4.83-5.64-5.22-3.98-6.50-0.92-7.36-5.33-3.88-2.84-----
-0.030.270.681.012.082.723.341.621.922.453.695.2612.4214.5817.8020.4022.9625.4120.1423.2126.6029.6332.1834.4436.5929.0231.3632.8624.9326.3519.9221.3718.6220.5221.8323.0524.2625.5614.5115.199.126.615.946.346.676.83-----
-1.08-0.73-0.39-2.14-1.66-1.20-0.69-4.02-3.64-2.980.00-8.77-7.23-5.17-3.04-7.08-4.76-2.76-3.71-10.23-7.33-5.29-2.81-7.95-5.32-4.17-2.18-6.44-4.06-3.14-1.84-5.09-3.24-2.19-1.00-2.84-1.80-1.10-0.74-2.25-1.57-0.95-0.493.462.0726.862010.00-26.01-40.420.00
-1.09-0.74-0.40-2.18-1.69-1.21-0.69-4.13-3.74-3.07--8.97-7.42-5.31-3.15-7.52-5.08-3.01-3.90-11.51-8.39-5.98-3.16-9.02-6.13-4.58-2.33-7.87-5.01-4.10-2.48-5.84-3.64-2.36-1.10-3.04-1.90-1.18-0.78-2.58-1.79-1.14-0.602.771.9326.27199--26.93-42.29-